Development
D
Bristol-Myers Squibb Company BMY
$48.44 $0.631.32% NYSE
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P/E (TTM)
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EPS (TTM)

12/31/2023 09/30/2023 06/30/2023 03/31/2023 12/31/2022
Total Cash And Short-Term Investments 32.71% -14.87% -34.19% -39.00% -46.27%
Total Receivables 9.52% 18.18% 20.09% 20.73% 11.35%
Inventory 13.81% 17.45% 10.36% 23.81% 11.65%
Prepaid Expenses -- -- -- -- --
Finance Division Loans and Leases Current -- -- -- -- --
Total Finance Division Other Current Assets -- -- -- -- --
Other Current Assets -10.32% -24.07% -14.16% 5.18% 21.96%
Total Current Assets 16.49% 3.12% -7.00% -10.08% -18.01%

Total Current Assets 16.49% 3.12% -7.00% -10.08% -18.01%
Net Property, Plant & Equipment 7.51% 13.44% 12.03% 9.57% 7.28%
Long-term Investments 0.09% 0.17% 3.51% 3.23% 3.16%
Goodwill 0.09% 0.17% 3.51% 3.23% 3.16%
Total Other Intangibles -24.50% -24.17% -16.95% -16.29% -15.68%
Finance Div Loans & Leases LT -- -- -- -- --
Total Finance Div Other LT Assets -- -- -- -- --
Total Other Assets 75.50% 17.70% 2.37% -10.36% -13.91%
Total Assets -1.72% -7.06% -6.84% -8.50% -11.43%

Total Accounts Payable 7.20% 8.40% 6.49% 8.49% 3.09%
Total Accrued Expenses 7.85% 9.39% 4.36% 3.31% 3.05%
Short-term Debt -32.97% 159.39% 97.39% 121.33% 99.46%
Current Portion of Long-Term Debt/Capital Leases -- -- -- -- --
Finance Division Debt Current -24.75% 142.66% -46.35% -67.53% -18.24%
Total Finance Division Other Current Liabilities 11.11% 1.72% 14.40% 12.74% 8.92%
Total Other Current Liabilities 11.11% 1.72% 14.40% 12.74% 8.92%
Total Current Liabilities 1.70% 23.94% -3.66% -16.37% 0.10%

Total Current Liabilities 1.70% 23.94% -3.66% -16.37% 0.10%
Long-Term Debt 4.41% -13.06% -6.57% -6.05% -11.23%
Short-term Debt -32.97% 159.39% 97.39% 121.33% 99.46%
Capital Leases 21.33% 79.05% 64.66% 60.80% 44.28%
Finance Division Debt Non Current -- -- -- -- --
Total Finance Division Other Non Current Liabilities -- -- -- -- --
Total Other Liabilities -30.03% -41.88% -40.25% -34.19% -32.56%
Total Liabilities -0.04% -4.98% -9.21% -12.60% -10.38%

Common Stock & APIC 1.14% -0.24% 2.07% 3.14% 1.80%
Retained Earnings 12.79% 14.36% 13.35% 10.94% 7.07%
Treasury Stock & Other -13.57% -19.08% -13.18% -10.33% -22.66%
Total Common Equity -5.25% -11.24% -1.92% 0.77% -13.59%

Preferred Stock Redeemable -- -- -- -- --
Preferred Stock Non Redeemable -- -- -- -- --
Preferred Stock Convertible -- -- -- -- --
Preferred Stock, Others -- -- -- -- --
Total Preferred Equity -- -- -- -- --

Total Common Equity -5.25% -11.24% -1.92% 0.77% -13.59%
Total Preferred Equity -- -- -- -- --
Total Minority Interest -3.51% 1.59% -6.56% -4.62% -5.00%
Total Equity -5.25% -11.22% -1.93% 0.76% -13.58%